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Financial risk management strategies

Track :

Business

Lessons no : 5

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What will you learn in this course?
  • Identify and assess market, credit, operational, and liquidity risks in organizational contexts using quantitative and qualitative methods
  • Apply risk measurement techniques and financial models to evaluate potential risk exposures and impacts
  • Design and implement effective hedging strategies to mitigate financial risks and protect organizational assets
  • Navigate regulatory frameworks and compliance requirements to optimize risk management practices and ensure organizational resilience

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Lessons | 5


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Financial risk management course, in this course delve into the intricacies of identifying, assessing, and mitigating various financial risks encountered by organizations. Topics include market risk, credit risk, operational risk, and liquidity risk. Through case studies and practical exercises, learners explore risk measurement techniques, hedging strategies, and regulatory frameworks governing risk management practices. Emphasis is placed on developing analytical skills to evaluate risk exposures, implement risk management tools, and optimize risk-return trade-offs. By the end of the course, students are equipped with the knowledge and tools necessary to effectively manage financial risks in diverse organizational settings.